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Citi Group Treasury Risk Senior Officer - DUBLIN 
United States, Indiana 
929546662

23.07.2024

About Citi and CEP

The role will require review of interest rate risk metrics and processes supporting risk management to identify potential emerging risks or areas of the governance framework requiring enhancement. The role will also provide effective challenge within independent risks in areas related to Interest Rate and ALM risk management. The challenge may require analysis using market and internal data as well as quantitative techniques including statistical analysis.


Responsibilities:

  • Key Responsibilities:

  • Ownership of 2LOD review and approval of 1LOD IRRC & FTPC proposals within Asian clusters, supported by CBNA&LE risk managers. Produce presentation materials and present analysis to senior management
  • Responsible for review and IRRC approval of IRRBB modelling proposals (e.g. beta) within Asian clusters, in conjunction with CBNA&LE risk managers
  • Ensuring Group-level guidance for NTMR limit setting is appropriately followed by CBNA&LE risk managers, in conjunction with cluster heads
  • Develop and implement process for review and oversight of IRRBB metrics and exposures, in conjunction with Group NTMR, including International coverage
  • Review of proposed changes in NTMR-owned Policy Documents, from a cluster perspective, in conjunction with cluster heads
  • Provide independent challenge to proposed changes in IRRBB models and assumptions, from a cluster perspective, in conjunction with cluster heads
  • Monitor NTMR in clusters, understanding the drivers of significant movements in reported exposures
  • Contribute to the development or production of metrics used to satisfy local regulatory requirements and stress testing processes required within the clusters, in conjunction with CBNA&LE heads
  • Review of Unit CBNA&LE raised draft issues from NTMR perspective for consistency within and across clusters
  • Liaise with cluster Treasury and CBNA&LE heads to identify emerging ALM and interest rate risks
  • Identify and analyze new and emerging risks from perspective of Non-Trading Market Risk Management in the clusters
  • Assist in relevant audits, regulatory inspections and review

Qualifications:

  • Minimum 10 years of experience within risk management, treasury or support functions with exposure to balance sheet, financial products, financial/risk analysis
  • General understanding of treasury products – securities, derivatives, and a broad mix of underlying asset classes
  • Knowledge of market risk/IRRBB/liquidity models and regulatory framework
  • Prior work experience in the regional markets

Education:

  • Bachelor’s/University degree on Economy, Business, Math/Engineering; Master’s degree preferred
Risk ManagementTreasury Risk


Time Type:

Full time

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